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<br />NOTE 19 - PRIOR PERIOD ADJUSTMENTS (CONTINUED) <br /> <br />B. <br /> <br />Fund Financial Statements <br /> <br /> Net Assets <br /> As previously Prior Period Net Assets, <br /> Reported Mustments As Restated <br /> <br />Water Utility Fund $46,450,324 $280,057 $46,730,381 <br />Sewer Utility Fund 37,851,798 170,510 38,022,308 <br />Parking Fund 5,431,536 (48,680) 5,382,856 <br /> <br />56 <br />